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Financial Markets, Institutions & Instruments

1997 - 2025

From John Wiley & Sons
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Volume 12, issue 5, 2003

Exchange Rate Exposure at the Firm and Industry Level pp. 291-346 Downloads
John A. Doukas, Patricia H. Hall and Larry H. P. Lang
What Explains the Bid‐Ask Spread Decline after Nasdaq Reforms? pp. 347-376 Downloads
Yan He and Chunchi Wu
A Monitoring Role for Deviations from Absolute Priority in Bankruptcy Resolution pp. 377-410 Downloads
Dina Naples Layish

Volume 12, issue 4, 2003

Contemporary Issues in Regulatory Risk Management of Commercial Banks pp. 223-256 Downloads
Darius Palia and Robert Porter
The Interest Rate Risk Exposure of Financial Intermediaries: A Review of the Theory and Empirical Evidence pp. 257-289 Downloads
Sotiris K. Staikouras

Volume 12, issue 3, 2003

The impact of the euro on Europe's financial markets pp. 165-222 Downloads
Gabriele Galati and Kostas Tsatsaronis

Volume 12, issue 2, 2003

A Cross‐Country Analysis of the Bank Supervisory Framework and Bank Performance pp. 67-120 Downloads
James Barth, Daniel E. Nolle, Triphon Phumiwasana and Glenn Yago
Alternative Forms of Mixing Banking with Commerce: Evidence from American History pp. 121-164 Downloads
Joseph G. Haubrich and João A. C. Santos

Volume 12, issue 1, 2003

Financial Sector Development in Transition Economies: Lessons from the First Decade pp. 1-66 Downloads
John Bonin and Paul Wachtel

Volume 11, issue 5, 2002

Measuring Integrated Market and Credit Risk in Bank Portfolios: An Application to a Set of Hypothetical Banks Operating in South Africa pp. 401-443 Downloads
Theodore M. Barnhill, Panagiotis Papapanagiotou and Liliana Schumacher
Liquidity, Labels and Medium‐Term Notes pp. 445-467 Downloads
Donald J. Mullineaux and Ivan C. Roten

Volume 11, issue 4, 2002

Editor's Notes pp. 267-269 Downloads
William L. Silber
To Hedge or Not to Hedge…That Is the Question Empirical Evidence from the North American Gold Mining Industry 1996–2000 pp. 271-288 Downloads
Matthew Callahan
Quantifying the Impact of Option‐Based Compensation on Earnings for the 50 Largest U.S.Technology Companies pp. 289-311 Downloads
Noah E. Butensky
Internet Message Board Activity and Market Efficiency: A Case Study of the Internet Service Sector using RagingBull.Com pp. 313-335 Downloads
Robert Tumarkin
A Study of Two‐Step Spinoffs pp. 337-347 Downloads
Audra L. Low
Price Effects of Addition or Deletion from the Standard & Poor's 500 Index pp. 349-383 Downloads
Philip A. Cusick
A Study of the Relationship Between Firm Age‐at‐IPO and Aftermarket Stock Performance pp. 385-400 Downloads
David T. Clark

Volume 11, issue 3, 2002

The Microfinance Revolution and the Grameen Bank Experience in Bangladesh pp. 205-265 Downloads
M. Kabir Hassan

Volume 10, issue 5, 2001

Banks Increase Welfare pp. 203-233 Downloads
Margarita Samartín
Debt Schedules of Tax‐Exempt Bonds Using NIC pp. 234-252 Downloads
Bryan Stanhouse and Duane Stock
A Framework for Valuing Derivative Securities pp. 253-276 Downloads
Philip Gray and Stephen F. Gray
How Theories of Financial Intermediation and Corporate Risk‐Management Influence Bank Risk‐Taking Behavior pp. 277-323 Downloads
Michael S. Pagano

Volume 10, issue 4, 2001

A Comparative Literature Survey of Islamic Finance and Banking pp. 155-199 Downloads
Tarek S. Zaher and M. Kabir Hassan

Volume 10, issue 3, 2001

International Portfolio Investment: Theory, Evidence, and Institutional Framework pp. 85-155 Downloads
Söhnke Bartram and Gunter Dufey

Volume 10, issue 2, 2001

Bank Capital Regulation in Contemporary Banking Theory: A Review of the Literature pp. 41-84 Downloads
João A. C. Santos

Volume 10, issue 1, 2001

Underpricing of Foreign and Domestic IPOs in the U.S. Market: Empirical Evidence pp. 1-1 Downloads
Bill Francis, Iftekhar Hasan and Feng Li

Volume 9, issue 5, 2000

Corporate Risk Management as a Lever for Shareholder Value Creation pp. 279-324 Downloads
Söhnke Bartram
Capital Allocation and Risk Performance Measurement In a Financial Institution pp. 325-357 Downloads
Stuart M. Turnbull

Volume 9, issue 3‐4, 2000

Securitization: The Transformation of Illiquid Financial Assets into Liquid Capital Market Securities Examples from the European Market pp. 133-278 Downloads
Charles Austin Stone and Anne Zissu

Volume 9, issue 2, 2000

Banking and Currency Crisis and Systemic Risk: A Taxonomy and Review pp. 69-131 Downloads
George G. Kaufman

Volume 9, issue 1, 2000

International Banking Centers, Geography, and Foreign Banks pp. 1-32 Downloads
Adrian E. Tschoegl
Why Do Banks Go Abroad?—Evidence from German Data pp. 33-67 Downloads
Claudia Buch

Volume 8, issue 5, 1999

Allocate Capital and Measure Performances in a Financial Institution pp. 1-23 Downloads
Thomas S. Y. Ho
The Microstructure of the Federal Funds Market pp. 24-44 Downloads
Craig H. Furfine
The Value of Deposit Insurance in the Presence of Interest Rate and Credit Risk pp. 45-62 Downloads
Ronald W. Anderson and Nusret Cakici
How to Access Financial Data of the Internet and Use for Research In Finance And Economics pp. 63-78 Downloads
Tarek Zaher

Volume 8, issue 4, 1999

A Comparison of Bond Ratings from Moody's S&P and Fitch IBCA pp. 1-45 Downloads
Jeff Jewell and Miles Livingston

Volume 8, issue 3, 1999

The Separation of Banking and Commerce in the United States: An Examination of Principal Issues pp. 1-55 Downloads
Bernard Shull

Volume 8, issue 2, 1999

Closed‐End Funds: A Survey pp. 1-41 Downloads
Elroy Dimson and Carolina Minio‐Kozerski

Volume 8, issue 1, 1999

The Global Asset Management Industry: Competitive Structure and Performance pp. 1-78 Downloads
Ingo Walter

Volume 7, issue 5, 1998

NYSE, NASDAQ, and Alternative Trading Systems: An Evaluation of the SEC's Proposal Toward a National Market System pp. 1-19 Downloads
Nasser Arshadi
The Conflicting Views and Management Practices of Institutional Equity Investing pp. 20-53 Downloads
Charles Trzcinka
Wealth Effects of International Acquisitions by US Banks pp. 54-69 Downloads
Kimberly C. Gleason and Ike Mathur

Volume 7, issue 4, 1998

Do Banks Follow Their Customers Abroad? pp. 1-25 Downloads
Rama Seth, Daniel E. Nolle and Sunil K. Mohanty
Modeling Foreign Bank Performance and Lending Behavior pp. 26-41 Downloads
Philip Molyneux, Eli Remolona and Rama Seth

Volume 7, issue 3, 1998

Regulatory Capital of Financial Institutions: A Comparative Analysis pp. 1-57 Downloads
Clifford A. Ball and Hans Stoll

Volume 7, issue 2, 1998

Optimal Dynamic Order Submission Strategies in Some Stylized Trading Problems pp. 1-76 Downloads
Lawrence Harris

Volume 7, issue 1, 1998

Why Do Companies List Shares Abroad?: A Survey of the Evidence and Its Managerial Implications pp. 1-60 Downloads
G. Andrew Karolyi

Volume 6, issue 5, 1997

The Market Valuation of Bank Shares: With Implications for the Value Additivity Principle pp. 1-22 Downloads
James S. Ang and Jeffrey A. Clark
Financial Reporting Requirements for Non‐US Registrants: International Market Perspectives pp. 23-44 Downloads
Frederick D.S. Choi
The Risks and Returns of Brady Bonds in a Portfolio Framework pp. 45-60 Downloads
Sandeep Dahiya
American Depositary Receipts: Overview and Literature Survey pp. 61-83 Downloads
Amar Gande
Universal Banking: A Shareholder Value Perspective pp. 84-113 Downloads
Ingo Walter

Volume 6, issue 4, 1997

The Private Equity Market: An Overveiw pp. 1-106 Downloads
George W. Fenn, Nellie Liang and Stephen Prowse

Volume 6, issue 3, 1997

Nominal Interest Rates and Loan Volume with Heterogeneous Beliefs pp. 1-58 Downloads
Richard Roll

Volume 6, issue 2, 1997

An International Survey of Business Failure Classification Models pp. 1-57 Downloads
Edward I. Altman and Paul Narayanan

Volume 6, issue 1, 1997

Forecasting Volatility pp. 1-88 Downloads
Stephen Figlewski
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